Dividends

22/05/20 12:55 augustine - HARGREAVES SERVICES PLC
For the year to May 31 2019, the Group distributable profits were GBP23.6 million, up year-over-year by 17% (2018: GBP20.2 million. The Board recommended an unchanged final dividend of 4.5 pence (2018: 4.5 pence) bringing the total dividend for the year to 7.2 pence (2018: 7.2 pence). Reference: annual report. Edited (1)
The currency for balance date 31/05/17 has changed from EUR to GBP.
The currency for balance date 31/05/16 has changed from EUR to GBP.
The currency for balance date 31/05/15 has changed from EUR to GBP.
The currency for balance date 31/05/14 has changed from EUR to GBP.
The position of account Deferred Long Term Asset Charges has moved below No account name found.
The position of account Deferred Long Term Asset Charges has moved above No account name found.
New Account Property Plant And Equipment created.
New Account Other Assets created.
Account name changed from Goodwill to Intangible Assets.
New Account Other Stockholders' Equity created.
New Account Deferred Long Term Liability Charges created.
New Account Other Liabilities created.
New balance date 31/05/19 has been added.
The amount value of account Assets for balance date 31/05/19 changed from 0 GBP to 181,000,000 GBP.
The amount value of account Long Term Investments for balance date 31/05/19 changed from 0 GBP to 7,000,000 GBP.
The amount value of account Intangible Assets for balance date 31/05/19 changed from 0 GBP to 11,000,000 GBP.
The amount value of account Current Assets for balance date 31/05/19 changed from 0 GBP to 160,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 31/05/19 changed from 0 GBP to 3,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 31/05/19 changed from 0 GBP to 28,000,000 GBP.
The amount value of account Net Receivables for balance date 31/05/19 changed from 0 GBP to 91,000,000 GBP.
The amount value of account Inventory for balance date 31/05/19 changed from 0 GBP to 29,000,000 GBP.
The amount value of account Other Current Assets for balance date 31/05/19 changed from 0 GBP to 9,000,000 GBP.
The amount value of account Liabilities for balance date 31/05/19 changed from 0 GBP to 310,000,000 GBP.
The amount value of account Equity for balance date 31/05/19 changed from 0 GBP to 141,000,000 GBP.
The amount value of account Common Stock for balance date 31/05/19 changed from 0 GBP to 77,000,000 GBP.
The amount value of account Treasury Stock for balance date 31/05/19 changed from 0 GBP to 2,000,000 GBP.
The amount value of account Capital Surplus for balance date 31/05/19 changed from 0 GBP to 3,000,000 GBP.
The amount value of account Retained Earnings for balance date 31/05/19 changed from 0 GBP to 59,000,000 GBP.
The amount value of account Current Liabilities for balance date 31/05/19 changed from 0 GBP to 134,000,000 GBP.
The amount value of account Accounts Payable for balance date 31/05/19 changed from 0 GBP to 38,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 31/05/19 changed from 0 GBP to 44,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 31/05/19 changed from 0 GBP to 52,000,000 GBP.
The amount value of account Long Term Debt for balance date 31/05/19 changed from 0 GBP to 35,000,000 GBP.
New balance date 31/05/18 has been added.
The amount value of account Assets for balance date 31/05/18 changed from 0 GBP to 181,000,000 GBP.
The amount value of account Long Term Investments for balance date 31/05/18 changed from 0 GBP to 7,000,000 GBP.
The amount value of account Intangible Assets for balance date 31/05/18 changed from 0 GBP to 11,000,000 GBP.
The amount value of account Current Assets for balance date 31/05/18 changed from 0 GBP to 160,000,000 GBP.
The amount value of account Deferred Long Term Asset Charges for balance date 31/05/18 changed from 0 GBP to 3,000,000 GBP.
The amount value of account Cash And Cash Equivalents for balance date 31/05/18 changed from 0 GBP to 28,000,000 GBP.
The amount value of account Net Receivables for balance date 31/05/18 changed from 0 GBP to 91,000,000 GBP.
The amount value of account Inventory for balance date 31/05/18 changed from 0 GBP to 29,000,000 GBP.
The amount value of account Other Current Assets for balance date 31/05/18 changed from 0 GBP to 9,000,000 GBP.
The amount value of account Liabilities for balance date 31/05/18 changed from 0 GBP to 310,000,000 GBP.
The amount value of account Equity for balance date 31/05/18 changed from 0 GBP to 141,000,000 GBP.
The amount value of account Common Stock for balance date 31/05/18 changed from 0 GBP to 77,000,000 GBP.
The amount value of account Treasury Stock for balance date 31/05/18 changed from 0 GBP to 2,000,000 GBP.
The amount value of account Capital Surplus for balance date 31/05/18 changed from 0 GBP to 3,000,000 GBP.
The amount value of account Retained Earnings for balance date 31/05/18 changed from 0 GBP to 59,000,000 GBP.
The amount value of account Current Liabilities for balance date 31/05/18 changed from 0 GBP to 134,000,000 GBP.
The amount value of account Accounts Payable for balance date 31/05/18 changed from 0 GBP to 38,000,000 GBP.
The amount value of account Short/Current Long Term Debt for balance date 31/05/18 changed from 0 GBP to 44,000,000 GBP.
The amount value of account Other Current Liabilities for balance date 31/05/18 changed from 0 GBP to 52,000,000 GBP.
The amount value of account Long Term Debt for balance date 31/05/18 changed from 0 GBP to 35,000,000 GBP.